Nav InformationLast NAV date | 25/04/2025 | NAV calculation frequency | Weekly | Currency | EUR | Previous NAV | 129.74 EUR 22/04/2025 | Variation % | +0.89% | Number of shares/units outstanding | 214 007.11 | Total net assets | 28 013 266.37 EUR | ADDI | - | Equity participation rate | 2.82 | Share of the total fund assets | 100.00 | Real estate rate | - |
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